Presents the capitalized costs as follows:Related Party Transactions payments due to related partyUse of estimatesGOING CONCERN {1}GOING CONCERNNATURE OF BUSINESS {1}NATURE OF BUSINESSInterest expenseRevenue:Accounts payableEntity Voluntary FilersAccretion expense.Amount recognized for the passage of time, typically for liabilities, that have been discounted to their net present values. Excludes accretion associated with asset retirement obligationsTotal capitalized costsTotal capitalized costsUnevaluated costsUnevaluated costsExpected life of warrant in years MinimumBalance GoodwillBalance of GoodwillCapitalized Costs (Table)PROMISSORY NOTES {1}PROMISSORY NOTESRELATED PARTY TRANSACTIONSWarrants issued in connection with promissory notesTotal number of additional series of common shares of an entity that have been sold or granted to shareholders (includes related common shares that were issued, repurchased and remain in the treasury). These shares represent capital invested by the firm's shareholders and owners, and may be all or only a portion of the number of shares authorized. Shares issued include shares outstanding and shares held in the treasury.Payment of promissory notesIssuance of promissory notes, netInvestment in oil and gas properties, net {1}Investment in oil and gas properties, netInterest payable {1}Interest payableAdjustments to reconcile net loss to net cash from operating activities:Entity Well-known Seasoned IssuerAdjustment to estimated liability.Estimated liabilities recordedValuation allowanceValuation allowance recorded as of the balance sheet date pertaining to the specified deferred tax asset for which an assessment was made that it is more likely than not that all or a portion of such deferred tax asset will not be realized through related deductions on future tax returns.Summary of Warrants Activities STOCKHOLDERS EQUITYIssued shares of preferred stockIssued shares of preferred stockAssumptions used in calculating the fair value of the warrantsThe entire tabular disclosure is about Assumptions used in calculating the fair value of the warrantsRecent accounting pronouncementsBasic and Diluted Earnings (Loss) Per ShareRevenue RecognitionGoodwill {1}GoodwillDepreciation, depletion and amortization PolicyCOMMITMENTS AND CONTINGENCIESLiabilities assumed in purchase of oil and gas propertiesAccumulated deficitGoodwillAsset retirement obligation - January 1, 2011The carrying amount of a liability for an asset retirement obligation. An asset retirement obligation is a legal obligation associated with the disposal or retirement of a tangible long-lived asset that results from the acquisition, construction or development, or the normal operations of a long-lived asset, except for certain obligations of lessees.Projected requirement to June 30,2014Projected requirement to June 30,2014Exercise Price $ 1.75Exercise Price $ 1.75Warrants outstanding as of by exercise price and year of expirationSUBSEQUENT EVENTSSTOCKHOLDERS' EQUITY {1}STOCKHOLDERS' EQUITYAccounts payable - related partyAccounts and note receivableStock based compensationInterest incomeCommon Stock, shares issuedCommon Stock, par valueRelated party payablesEntity Public FloatAccretion expense,Amount recognized for the passage of time, typically for liabilities, that have been discounted to their net present values. Excludes accretion associated with asset retirement obligationsProjected requirement to March 15, 2015 MaturityProjected requirement to March 15, 2015 MaturityEvaluated costs subject to amortizationEvaluated costs subject to amortizationWarrants for consulting services to the CompanyWarrants for consulting services to the CompanyCapital Stock Transactions:Significant Accounting Policies GoodwillGoing Concern Accumulated LossesSchedule of sinking fund requirements (Table)Accounts receivable PolicyCOMMITMENTS AND CONTINGENCIES {1}COMMITMENTS AND CONTINGENCIESAdditional paid-in capitalCommon stock, par value $0.001 per share; 70,000,000 shares authorized; 13,779,815 issued and outstanding at June 30, 2013 13,564,815 issued and outstanding at December 31, 2012Preferred stock, no par value, 5,000,000 shares authorized; no shares issued or outstandingCurrent Fiscal Year End DateNet operating loss carryforwardsTotal Warrants outstanding And Exercise priceTotal Warrants outstanding And Exercise priceWarrants outstanding as of by exercise price and year of expirationExercise Price $ 5.00Exercise Price $ 5.00Warrants outstanding as of by exercise price and year of expirationSTOCKHOLDERS' EQUITY (TABLES)Basis of presentationIncome TaxesSTOCKHOLDERS' EQUITYSignificant Accounting PoliciesGOING CONCERNReclassification of paid in capital to common stockThe amount of a reclassification adjustment madeBeneficial conversion feature on promissory notesCash - beginning of periodCash - beginning of periodLoss per share: Basic and DilutedPreferred Stock, shares authorizedTotal stockholders' equityDebt issuance costs, netEntity Filer CategoryAdjustment to estimated liability,Estimated liabilities recordedDividend yieldDividend yield rateCompensation to directors payable in common stock with a total valueCompensation to directors payable in common stock with a total valueReclassifications PolicyConcentration of risksNATURE OF BUSINESSNet cash provided by financing activitiesChange in:Net (loss)Total operating expensesTotal current liabilitiesInterest payableNotes payable to related partyAmendment FlagTotalMember [Member]Expiration Date in 2014Warrants issued to the placement agent,Warrants issued to the placement agent,Issued shares of common stock as compensation for servicesIssued shares of common stock as compensation for servicesCapitalized interestInterest paidPrepaid expensesAccretion expenseRoyaltyWarrants outstandingDocument TypeSinking fund requirements Notes are as follows:Net capitalized costsNet capitalized costsLess accumulated depreciation, depletion and amortizationLess accumulated depreciation, depletion and amortizationExercise Price $ 2.50Exercise Price $ 2.50Warrants outstanding as of by exercise price and year of expirationSUBSEQUENT EVENTS {1}SUBSEQUENT EVENTSCash Flows From Financing ActivitiesDepreciation, depletion and amortization.Depreciation, depletion and amortizationCost of revenueAsset retirement obligationTotal current assetsDocument Fiscal Year FocusEntity Registrant NameEquity Component [Domain]Total sinking fund requirementsStates the combined aggregate amount of maturities and sinking fund requirements for a long-term unconditional purchase obligation that has been recognized on the balance sheet.Assumptions used in calculating the fair value of the warrants issued are as follows:Exercise Price $ 2.14Exercise Price $ 2.14Warrants outstanding as of by exercise price and year of expirationExpiration Date in 2016Common stock as compensation for services, with a total valueCommon stock as compensation for services, with a total valueCapitalized Costs (Table):Environmental laws and regulationsThe entire policy text block is about Environmental laws and regulationsFair value of financial instrumentsRisks and uncertaintiesPROMISSORY NOTESCash - end of periodAmount of currency on hand as well as demand deposits with banks or financial institutions. Includes other kinds of accounts that have the general characteristics of demand deposits. Also includes short-term, highly liquid investments that are both readily convertible to known amounts of cash and so near their maturity that they present insignificant risk of changes in value because of changes in interest rates. Excludes cash and cash equivalents within disposal group and discontinued operation.Net cash provided (used) in operating activitiesCASH FLOWS OPERATING ACTIVITIES:Total other income (expense)Common Stock, shares outstandingASSETSAsset retirement obligation - June 30, 2013The carrying amount of a liability for an asset retirement obligation. An asset retirement obligation is a legal obligation associated with the disposal or retirement of a tangible long-lived asset that results from the acquisition, construction or development, or the normal operations of a long-lived asset, except for certain obligations of lessees.Asset retirement obligation - March 31, 2013The carrying amount of a liability for an asset retirement obligation. An asset retirement obligation is a legal obligation associated with the disposal or retirement of a tangible long-lived asset that results from the acquisition, construction or development, or the normal operations of a long-lived asset, except for certain obligations of lessees.Issued warrants in connection with financing transactions discussedIssued warrants in connection with financing transactions discussedASSET RETIREMENT OBLIGATIONS (Tables)Cash Flows From Operating ActivitiesProvision for income taxesAdvances from working interest ownersAdvances from working interest ownersDocument Fiscal Period FocusDocument Period End DateAccretion expense;Amount recognized for the passage of time, typically for liabilities, that have been discounted to their net present values. Excludes accretion associated with asset retirement obligationsAsset retirement obligation - December 31, 2012The carrying amount of a liability for an asset retirement obligation. An asset retirement obligation is a legal obligation associated with the disposal or retirement of a tangible long-lived asset that results from the acquisition, construction or development, or the normal operations of a long-lived asset, except for certain obligations of lessees.Expected life of warrant in years MaximumDiscount due to lack of marketabilityDiscount due to lack of marketabilityTotal warrants outstandingExpiration Date in 2015Asset retirement obligations PolicyDebt issuance costsOther income (expense)Operating expenses:Oil and gas salesCommon Stock, shares authorizedPrepaid costsEntity Common Stock, Shares OutstandingEntity Central Index KeyRequirement as of June 30,2013Requirement as of June 30,2013Expected volatility of common stockExpected volatility of common stockRisk-free interest rate.Risk-free interest rate.Exercise Price $ 2.00Exercise Price $ 2.00Warrants outstanding as of by exercise price and year of expirationAccruedcompensation expense related to issuanceAccruedcompensation expense related to issuanceSchedule of sinking fund requirements (Table) {1}Schedule of sinking fund requirements (Table)Describes the provision of a debt agreement that requires the borrower to periodically place monies into a fund which is used to retire, typically annually, a portion of the outstanding debt.ASSET RETIREMENT OBLIGATIONS {1}ASSET RETIREMENT OBLIGATIONSAccounts payable and accrued liabilitiesNet lossTOTAL LIABILITIES AND STOCKHOLDERS' EQUITYConvertible promissory notes, net of discount of $2,640,523 and $521,864 at June 30, 2013 and December 31, 2012, respectivelyTOTAL ASSETSInvestment in oil and gas properties, netCashAccrued during the periodAccrued during the periodAccrued and unpaid compensationAccrued and unpaid compensationCeiling testThe entire policy text block is about Ceiling test.SIGNIFICANT ACCOUNTING POLICIES (POLICIES)Commitments and contingenciesLIABILITIES AND STOCKHOLDERS' EQUITYDocument and Entity InformationAsset Retirement Obligation Liability [Member]Asset Retirement Obligation Liability Member [Member]Accretion expense:Amount recognized for the passage of time, typically for liabilities, that have been discounted to their net present values. Excludes accretion associated with asset retirement obligationsStatement {1}StatementExpiration Date in 2018Expiration Date in 2017StatementIssued common shares to two outside directorsIssued common shares to two outside directorsSubsequent Events PolicyASSET RETIREMENT OBLIGATIONSIncome Tax DisclosureCommon stock issued in connection with promissory notesTotal number of additional series of common shares of an entity that have been sold or granted to shareholders (includes related common shares that were issued, repurchased and remain in the treasury). These shares represent capital invested by the firm's shareholders and owners, and may be all or only a portion of the number of shares authorized. Shares issued include shares outstanding and shares held in the treasury.Net increase (decrease) in cashAccrued liabilitiesAsset retirement obligation - December 31, 2011The carrying amount of a liability for an asset retirement obligation. An asset retirement obligation is a legal obligation associated with the disposal or retirement of a tangible long-lived asset that results from the acquisition, construction or development, or the normal operations of a long-lived asset, except for certain obligations of lessees.Estimated liabilities recordedEstimated liabilities recordedIncome Taxes Operating loss carryforwardsStatement, Equity ComponentsReconciliation of the asset retirement obligation liabilityThe entire tabular disclosure is about Reconciliation of the asset retirement obligation liability.CAPITALIZED COSTS {1}CAPITALIZED COSTSCAPITALIZED COSTSRELATED PARTY TRANSACTIONS {1}RELATED PARTY TRANSACTIONSAccounting PoliciesNon cash transactions:Net (loss) before taxesGeneral and administrative expensesREVENUES:Accounts and Note receivableCurrent assets:Entity Current Reporting StatusReconciliation of the asset retirement obligation liability through June 30, 2013Accumulated Losses since inceptionAccumulated Losses since inceptionSummary of warrant activityThe entire tabular disclosure is about summary of warrant activity.Share-Based Compensation PolicyInvestment in oil and gas propertiesCapitalized interest costSale of oil and gas properties in exchange for note receivableSale of oil and gas properties in exchange for note receivableSupplemental disclosure of cash flow information:Cash Flows From Investing ActivitiesWeighted average shares outstanding: Basic and DilutedGross incomeConvertible promissory notes, net of discountParentheticalsStockholders' equity:Current liabilities: